Search jobs > New York, NY > Compliance officer

AML / OFAC Compliance Officer / Advisory (Financial Security)

Crédit Agricole CIB
NEW YORK, Etats-Unis Amérique
$120K-$150K a year
Full-time

Description du poste

Summary :

This position is placed within the Advisory group of the Financial Security team. The position's main responsibilities are centered on the following : reviewing and validating high risk KYC files, and providing AML and / or sanctions related guidance to the Banks staff on proposed transactions.

He / she is expected to have knowledge of current anti-money laundering regulations, policies and requirements as per the Bank Secrecy Act, and the USA Patriot Act.

Key Responsibilities :

Review and validation of High Risk KYC files to ensure completeness and compliance with Bank policies and Regulatory Requirements.

Review and issue regulatory guidance to Bank staff on proposed activities and transactions.

Assist with the analysis of updates in regulations and / or policies to ensure that the Bank is compliant with US regulations, as well as the Banks policies and procedures.

Assist with the implementation of any new requirements that come as a result of new regulations or policies and procedures.

Provide guidance to Front Office and Support staff on AML specific queries concerning proposed customers and / or transactions.

Assist with analysis of data for the Bank's BSA / AML and OFAC Risk Assessments.

Management and Reporting :

The position reports directly to the Head of Advisory Financial Security.

Key Internal Contacts :

The employee will most likely interact on a regular basis with the Client On Boarding group, Front Office personnel, Head Office Compliance personnel, and IT support.

Key External Contacts :

The employee may have occasion to interact with external auditors and / or regulators during exams.

Salary Range : $120k - $150k

30+ days ago
Related jobs
Marex
New York, New York

The Compliance Officer – Policies and Procedures of will create and maintain a Compliance Policies and Procedures for all Americas registered entities, they will be assisted in content by the compliance advisor for each regulated entity. Compliance and Compliance Officers play a crucial role in ensu...

Morgan Stanley
New York, US

Global Financial Crimes: Global KYC Advisory Officer. The Global KYC Advisory team is tasked with setting KYC policy in coordination with Global Financial Crimes Advisory and Legal colleagues, and implementing KYC control changes and enhancements, working directly with Operations, the Business Unit ...

Combined Insurance
New York, New York

Collaborate with regional compliance officers, senior business leaders, and external counsel to provide compliance advisory and legal advice as required. Collaborate and provide support to the Global Compliance Financial Crime Team, ensuring smooth execution of the Global Financial Crime Compliance ...

Voya Financial
New York, New York

Review client investment management agreements and guideline documents to determine effective monitoring processes, including developing compliance rules in automated compliance systems. The status quo is not good enough … we believe every individual and every community deserves access to financial ...

6301 DB USA Core Corporation
New York, New York

Compliance Officer – Investment Bank Compliance – Origination & Advisory – Capital Markets. Experience in providing legal, regulatory or compliance advice in connection with investment banking advisory engagements and transactions is essential. We provide access to physical, emotional, and financial...

Deutsche Bank
New York, New York

Family and Medical Leave Act ; Employee Polygraph Protection Act and Pay Transparency Nondiscrimination Provision ....

JPMorgan Chase & Co.
Brooklyn, New York

As part of RM&C CFO, the RM&C Finance & Business Management team supports the firm's Chief Risk Officer, RM&C Chief Financial Officer and the Risk Operating Committee through on-going governance and discipline on direct and allocated expenses, technology investment governance, real estate management...

RSM
New York, New York

Work individually or as part of a team to execute anti-money laundering (“AML”), lending or deposit compliance testing activities for financial institutions of all sizes and complexities. Examples of projects include internal audits in AML and consumer compliance, risk assessments, look-backs and sy...

Deutsche Bank
New York, New York

Family and Medical Leave Act ; Employee Polygraph Protection Act and Pay Transparency Nondiscrimination Provision ....

Bloomberg
New York, New York

SEFpliance Surveillance Lead and Advisorypliance Officer - Legal &plianceThe energy of a newsroom, the pace of a trading floor, the buzz of a recent tech breakthrough; we work hard, and we work fast - while keeping up the quality and accuracy we're known for. We are looking for a Swap Execution Faci...